Bill Miller / Portfolio / 2023-Q2

    Company Shares Market value Share price
    PROSHARES TR 187K $8.9M $47
    STELLANTIS N.V 496K $8.7M $18
    Viatris Inc. 826K $8.2M $10
    OneMain Holdings, Inc. 182K $7.9M $44
    CTO Realty Growth, Inc. 437K $7.5M $17
    Chico's FAS, Inc. 1.4M $7.3M $5.4
    Western Alliance Bancorporation 183K $6.7M $36
    Jackson Financial Inc. 215K $6.6M $31
    The Buckle, Inc. 190K $6.6M $35
    B. Riley Financial, Inc. 132K $6.1M $46
    Medical Properties Trust, Inc. 656K $6.1M $9.3
    Quad/Graphics, Inc. 1.6M $6M $3.8
    Gannett Co., Inc. 2.5M $5.7M $2.3
    M.D.C. Holdings, Inc. 103K $4.8M $47
    NABORS INDUSTRIES LTD 50K $4.7M $93
    Organon & Co. 222K $4.6M $21
    Medifast, Inc. 45K $4.1M $92
    Alliance Resource Partners, L.P. 217K $4M $18
    MICROSTRATEGY INC 3.1M $3.4M $1.1
    American Axle & Manufacturing Holdings, Inc. 389K $3.2M $8.3
    The GEO Group, Inc. 383K $2.7M $7.2
    Tutor Perini Corporation 379K $2.7M $7.2
    Chesapeake Energy Corporation 29K $2.4M $84
    AT&T Inc. 150K $2.4M $16
    Builders FirstSource, Inc. 17K $2.3M $136
    Camping World Holdings, Inc. 67K $2M $30
    Crocs, Inc. 17K $1.9M $112
    Vale S.A. 115K $1.5M $13
    Conduent Incorporated 415K $1.4M $3.4
    Gray Television, Inc. 177K $1.4M $7.9
    Airbnb, Inc. 9.5K $1.2M $128
    Beazer Homes USA, Inc. 35K $990K $28
    MasterBrand, Inc. 85K $989K $12
    Bread Financial Holdings, Inc. 26K $808K $31
    Atkore Inc. 5K $780K $156
    TECHNIPFMC PLC 46K $758K $17
    Teva Pharmaceutical Industries Limited 82K $618K $7.5
    Lithia Motors, Inc. 2K $608K $304
    Match Group, Inc. 14K $586K $42
    Pitney Bowes Inc. 164K $582K $3.5
    RCI Hospitality Holdings, Inc. 6.1K $464K $76
    Perdoceo Education Corporation 35K $429K $12
    LYONDELLBASELL INDUSTRIES N 4.5K $413K $92
    Bluegreen Vacations Holding Corporation 10K $357K $36
    Diamond Offshore Drilling, Inc. 25K $356K $14
    Cleveland-Cliffs Inc. 12K $203K $17

    Notifications